Huw Irranca-Davies: I am announcing today that following an extensive review of the arrangements for private sewers and drains in England and Wales the Government have decided to transfer, from 2011, existing private sewers and lateral drains in England that connect to the public network into the ownership of the nine statutory Water and Sewerage companies (WaSCs).
	Existing private sewers and lateral drains—that part of the drain that extends beyond the property boundary—are currently the responsibility of the owners of the properties they serve, a fact that often comes as a complete surprise to owners, who usually assume that the sewer and lateral drain serving their property are the responsibility of the local WaSC or local authority, private owners have to meet the costs of repairs and these can be considerable.
	Private sewers serve more than one property so ownership is shared and usually a large extent of the sewer will lie outside a property's own boundary. Lateral drains serve one property but always lie outside the property's boundary. Transfer provides the only comprehensive solution to a range of private sewer and lateral drain problems affecting householders, such as lack of awareness of their responsibilities and unwillingness or inability to coordinate or contribute to potentially high costs of maintenance and repair. It will bring simplification and clarity to owners, local authorities and WaSCs, all of whom typically become involved when these problems arise. Transfer will also significantly help address a lack of integrated management of the sewerage network as a whole, and provide much greater efficiency of effort and expenditure at a time when climate change and housing growth may impose greater demands on urban drainage systems. Having a much greater proportion of the sewer network in the management of the Water and Sewerage Companies means they will be able to plan maintenance and resolve problems more easily and comprehensively.
	Transfer will take place from 2011 to allow the water industry and those businesses operating around it sufficient time to prepare for transfer. The costs of necessary future improvement and maintenance will, after transfer be shared by customers as a whole through an increase in the sewerage element of bills for the generality of customers, Although these are uncertain, preliminary estimates indicate increases of around £4 to £12 per year across the nine Water and Sewerage Companies in England.
	The Government will now prepare and consult on draft regulations to implement the transfer. The regulations will also introduce steps to prevent the proliferation of new such private sewers, in order to prevent the future reoccurrence of existing problems.

Dioxins in Meat Products

Dawn Primarolo: On 6 December 2008 the Irish Government announced that levels of dioxins and polychlorinated biphenyls (PCBs) exceeding the maximum permitted levels had been found in animal feed and pork fat in the Republic of Ireland.
	Maximum levels for dioxins and dioxin-like PCBs in meat, fish, eggs, milk and other foods have been set by the European Commission. These are set at a very low level in order to reduce consumer exposure as much as possible. Levels of dioxins found in pork fat from the Republic of Ireland were reported to be 80 to 200 times greater than the permitted maximum levels.
	The Irish Government advised that it was recalling all pork and pork products, made in the Republic of Ireland since 1 September 2008.
	Pork derived from pigs reared, slaughtered and processed in Northern Ireland is not affected by this incident. However, 13 meat processing plants in Northern Ireland had received pork from the Republic of Ireland.
	On the basis of this information, the Food Standards Agency issued precautionary advice to consumers not to eat pork or pork products, such as sausages, bacon, salami and ham, labelled as being from the Republic of Ireland or Northern Ireland.
	During the course of last week, additional information became available on which farms in the Republic of Ireland had received contaminated feed. This enabled food retailers and manufacturers to trace their supplies of pork and identify if it has been affected. The current position is that in the United Kingdom and the rest of Europe shops, manufacturers and caterers that can trace the origin of any pork, directly to a farm that is unaffected by contaminated feed, are able to continue selling their products. The food businesses will need to be able to demonstrate to local authorities that any pork on sale is unaffected.
	Food businesses are being advised to test products such as pork pies and sausages that contain more than 20 per cent.of Irish pork from affected farms to make sure that they do not contain illegal levels of dioxins. Products that contain less than 20 per cent. of Irish pork do not have to be tested or withdrawn from sale.
	From the information that we have at this time we consider the risk to consumers from this incident to have been very low. Consumers have been advised not to worry if they think they may have eaten affected products. The Food Standards Agency's assessment is that health effects are likely only if people are exposed to relatively high levels of this contaminant for long periods; that will not have occurred as a result of this incident.
	This view has been supported by the assessment from the European Food Safety Authority (EFSA). They have advised that if someone ate Irish pork of which 10 per cent. was affected by the contamination, each day throughout the past 90 days, the amount of chemicals that accumulate in the body would increase by approximately 10 per cent. EFSA considers this increase to be of no concern for this event lasting approximately three months. In the UK, the level of exposure will be much lower because most pork on the market is not from Ireland.
	It has also been confirmed that the contaminated feed has been supplied to cattle farms in both the Republic of Ireland and Northern Ireland. The Irish Government have concluded on the basis of its testing of affected cattle that there is no public health risk associated with beef.
	Samples are being taken from carcasses in Northern Ireland and the results will determine the course of action to be taken. The Food Standards Agency is following the European Commission's advised approach that neither pigs nor cattle should be cleared solely on the basis of PCB marker results but should await full dioxin test results.
	Eight affected cattle herds in Northern Ireland are currently under restrictions. Cattle and carcasses from these herds will remain restricted and will not enter the food chain until the Food Standards Agency and the European Commission are fully satisfied that, from the results, the cattle from these herds are fit to eat. Investigations are continuing to establish whether any potentially affected beef had entered the market prior to restrictions being put in place. Farmers and the food industry are acting responsibly and fully co-operating with the authorities.

Jacqui Smith: The Home Office, Autumn Performance Report 2008 (Cm 7512), has been laid before Parliament and published today.
	The report provides an update on performance against the targets we set in the 2004 Spending Review and any 2002 targets that are still current. It shows that we have met our targets to reduce crime, increase confidence and bring more offences to justice. The latest data also shows that we are ahead of our target to reduce unfounded asylum intake and we are on course to reduce the harm caused by drugs.
	It includes our first report against the 2007 Public Service Agreements that are led by the Home Office and came into effect in April this year. These PSAs are: ensure controlled, fair migration that protects the public and contributes to economic growth; make communities safer; reduce the harm caused by alcohol and drugs; and reducing the risk to the UK and its interests overseas from international terrorism.
	The report also includes information on our progress with implementing outstanding Public Accounts Committee recommendations.
	Copies of the report are available in the Vote Office. The Report is also available on the Home Office website.

Vernon Coaker: Section 14(1) of the Prevention of Terrorism Act 2005 (the 2005 Act) requires the Secretary of State to report to Parliament as soon as reasonably practicable after the end of every relevant three month period on the exercise of the control order powers during that period.
	The level of information provided will always be subject to slight variations based on operational advice.
	Control orders continue to be an essential tool to protect the public from terrorism, particularly where it is not possible to prosecute individuals for terrorism-related activity and, in the case of foreign nationals, where they cannot be removed from the UK.
	As stated in previous quarterly statements on control orders, control order obligations are tailored to the individual concerned and are based on the terrorism-related risk that individual poses. Each control order is kept under regular review to ensure that obligations remain necessary and proportionate. The Home Office continues to hold Control Order Review Groups (CORGs) every quarter, with representation from law enforcement and intelligence agencies, to keep the obligations in every control order under regular and formal review and to facilitate a review of appropriate exit strategies. During this reporting period, seven CORGs were held in relation to the orders currendy in force. In addition, further meetings were held on an ad-hoc basis as specific issues arose.
	In total, 15 control orders are currendy in force, four of which are in respect of British citizens. Three individuals subject to a control order live in the Metropolitan Police Service area; the remaining individuals live in other police force areas. All of these control orders are non-derogating. Two individuals have been charged with breaching their control order obligations; no prosecutions for breaching a control order were completed during this reporting period.
	During this reporting period, 96 modifications of control order obligations were made. Twenty-three requests to modify a control order obligation were refused. A right of appeal is provided for by section 10(1) of the 2005 Act against a decision by the Secretary of State to renew a non-derogating control order or to modify an obligation imposed by a non-derogating control order without consent. A right of appeal is also provided for by section 10(3) of the 2005 Act against decisions by the Secretary of State to refuse a request by a controlled person to revoke their order and, or to modify any obligation under the order. Two appeals have been lodged with the High Court by controlled persons relating to modifications to orders or the renewal of orders in this reporting period, one of which has been withdrawn.
	Both the Secretary of State and the controlled person have appealed to the Court of Appeal in this reporting period in the case of Secretary of State for the Home Department v. Abu Rideh, subsequent to the judgment of the High Court in the substantive review of Abu Rideh's control order handed down in the last reporting period. Another controlled person has applied to the Court of Appeal for permission to appeal against a High Court judgment in relation to a modification appeal handed down in the last reporting period.
	Five judgments have been handed down by the High Court in control order cases during this reporting period and one judgment has been handed down by the Court of Appeal. Two of these High Court judgments were in relation to modification appeals. In Secretary of State for the Home Department v. AM a judgment was handed down on 11 September 2008. The court looked at a number of modification requests and ruled in favour of the controlled person for some of the requests and in favour of the Secretary of State for one. A judgment was handed down in the case of Secretary of State for the Home Department v. AS on 3 October 2008. The court ruled in favour of the controlled person subject to a number of conditions agreed between the parties.
	On 14 November 2008, the High Court handed down judgment in the case of Secretary of State for the Home Department v. AR, AT,AU,AV and AW. The judgment related to the generic aspects of the case against five individuals who are subject to control orders. The court found that the proceedings, thus far, were compatible with Article 6—right to a fair trial—of the European Convention on Human Rights (ECHR). The judgment was provisional and will form the background for the substantive review of each of the individual cases under section 3(10) of the 2005 Act.
	On 17 October 2008 the High Court handed down a judgment in relation to an application made by The Times Newspapers Ltd to the court to lift the anonymity order in the case of AY. This application was opposed both by the Secretary of State and AY. The court ruled that the anonymity order should remain in place. The Times Newspapers Ltd was granted permission to appeal to the Court of Appeal but no appeal was lodged with the Court of Appeal.
	On 24 November 2008 the High Court handed down an oral judgment in the case of Secretary of State for the Home Department v. NN. This judgment, relating to the substantive review of NN's control order under section 3(10) of the 2005 Act, quashed NN's control order. A written judgment will be handed down at a later date.
	The Court of Appeal handed down judgment in the case of Secretary of State for the Home Department v. AE, AF, AM and AN on 17 October 2008. The Court of Appeal upheld the appeals of the Secretary of State in the cases of AN and AF in relation to Article 6 of the ECHR and dismissed the appeal of AE in relation to Article 6. The Court of Appeal dismissed AE's appeal in relation to Article—right to liberty— of the ECHR. The appeal of the Secretary of State in the case of AM was also dismissed. The Court of Appeal sought to interpret the judgment of the House of Lords in October 2007 in the cases of MB and AF relating to Article 6. In summary, the majority found that there is no principle that a hearing will be unfair in the absence of open disclosure of an irreducible minimum allegation or evidence. The majority also found that in assessing whether a hearing had been unfair the court must look at all the circumstances of the case including the steps taken to disclose material in open, the effectiveness of the special advocates and the difference that disclosure may have made. The Court of Appeal granted permission for AE, AF and AN to appeal to the House of Lords on Article 6 grounds.
	Full judgments in most of these cases are available at: http://www.bailii.org/

David Hanson: In a written ministerial statement on 29 October 2008, Official Report, column 33WS, my right hon. Friend, the Minister of State for Children, Young People and Families and I announced our intention to publish the report of the Joint Review of Restraint in Juvenile Secure Settings by 15 December, together with the Government's response.
	I have today laid before Parliament the Government Response to the Review of the Use of Restraint in Juvenile Secure Settings (Cm 7501). I am with my right
	hon. Friend the Minister of State for Children, Young People and Families also today publishing the report of the Joint Review of Restraint in Juvenile Secure Settings. Copies of the Review have been placed in the Libraries of both Houses, the Vote Office and the Printed Paper Office. They can also be accessed on the websites of the Department for Children, Schools and Families and the Ministry of Justice: http://publications.dcsf.gov.uk and www.justice.gov.uk/publications/restraint-review.htm and www.justice.gov.uk/publications/govt-response-restraint-review.htm
	The Joint Review looked in depth at the range of issues relating to use of restraint, particularly the question of safety. It recommends substantial changes in relation to the systems approved for use in young offender institutions and secure training centres. It also recommends that all systems used in the under-18 secure estate should be accredited and proposes significant improvements relating to training, monitoring, inspection and reporting.
	We have accepted almost all of the review's recommendations. We are very grateful to Peter Smallridge and Andrew Williamson, the co-chairs of the review, for the work they have done to illuminate this important and sensitive area of policy and for the practical proposals they have made. We believe that the Joint Review and the steps we are taking in response to it should make possible a broad measure of agreement on questions relating to use of restraint in the under-18 secure estate. We will make available an additional £4.9 million over the next two years to support the package of measures to drive change, including enhanced training in working with young people, defusing difficult situations and behaviour management, so that we can be certain that restraint is only ever used as a last resort and with vigorous safeguards.
	A number of other documents relating to safeguarding in the under-18 estate are also being published today. The youth justice elements of the Government's response to the 3rd Joint Chief Inspectors' Report on Safeguarding can be accessed on the DCSF website http://www.dcsf.gov.uk/publications/safeguardingchildrenresponse/; the Youth Justice Board is publishing its review of safeguarding in the under-18 secure estate www.yjb.gov.uk/safeguarding; and we are updating the action plan we published in March in response to the recommendations of the coroners following the inquests into the deaths of Gareth Myatt and Adam Rickwood www.justice.gov.uk/publications/response-coroners-inquests-dec08.htm

Geoff Hoon: I would like to update the House on the Government's progress against commitments set out by my predecessor, the right hon. Member for Bolton, West (Ruth Kelly), in her statement on biofuels on 7 July 2008, responding to 'The Gallagher Review of the indirect effects of biofuels production'.
	As part of that response to the Gallagher Review, the Government made a commitment that the EU target of 10 per cent. renewable transport fuels by 2020 could remain an overall objective but that it should be subject to certain conditions, namely: that the sustainability criteria applicable to the target should address the indirect as well as direct effects on land use; and that the 10 per cent. target be subject to rigorous review to take account of the emerging evidence.
	The 10 per cent. target is part of the renewable energy directive due to be approved by the European Parliament this week and adopted by the Council in the New Year, following negotiations between the Council, the Commission and the European Parliament.
	The principle of a rigorous review of the 10 per cent. target received strong support from the Council and the European Parliament and the directive put forward for approval requires the Commission to, by 2014, review the cost-efficiency and sustainability of the target and, if appropriate on the basis of that review, submit proposals to the Council and the European Parliament to take action.
	The UK Government have led the debate in Europe on the need to address the indirect effects of biofuels on land use and so ensure that the renewable energy directive will include sustainability criteria that address these indirect effects. The directive put forward for approval requires the Commission to, by 31 December 2010, submit a report to the Council and the European Parliament on the impact of indirect land use change on greenhouse gas emissions. This report shall, where appropriate, be accompanied by a proposal for a methodology through which the greenhouse gas emissions caused by indirect land use change will be taken into account, with a view to the Council and European Parliament endeavouring to agree this methodology by 2012.
	This recognises the fact that the scientific evidence around the indirect effects of biofuels is not yet certain enough to develop such a methodology now. However, the pace of research into indirect land use change has been accelerating rapidly. The UK Government themselves are working with international partners and scientific experts to develop a biofuels research programme which will aim to address gaps in the evidence around the indirect effects of biofuels and through this group we will help ensure that development of any methodology to take into account indirect land use change is based on the best available science.

Jonathan R Shaw: The Employment, Social Policy, Health and Consumer Affairs Council will be held on 17 December 2008 in Brussels. I will represent the UK, except for the agenda items on the Working Time Directive and European Work Councils, where the UK will be represented by the Minister of State for Employment Relations and Postal Affairs, my hon. Friend the Member for Wolverhampton, South-East (Mr. McFadden). Health and Consumer Affairs issues are being taken on 16 December.
	The first and main agenda item will be an exchange of views and public debate on the social impact of the economic crisis and implementation of the Renewed Social Agenda. The presidency has tabled a range of documents as background to the discussion, including the Commission's communication on a European economic recovery plan and a paper asking three questions to focus the discussion. The Government broadly welcomes the recovery plan and I will outline some of the measures we have taken in the UK.
	The presidency will report on the current state of play with the working time directive. The Government believes that the common position achieved at the June Employment Council is a good outcome for Europe and remains in full support of it.
	Following a review, the Commission published a proposal on 2 July to recast the European works council directive. The European social parties have produced joint advice on the proposal and have suggested amendments to it. These have been incorporated into the text. The presidency hopes to reach political agreement at the Council meeting.
	The Council will also seek political agreement on a proposal for a council directive implementing the agreement concluded by the European Community Shipowners' Association (ECSA) and the European Transport Workers' Federation (ETF) on the Maritime Labour Convention, 2006 and amending Directive 1999/63/EC. The draft directive would implement the agreement of 19 May 2008 on the Maritime Labour Convention (MLC), 2006, between the representatives of employers and employees in the maritime transport sector in respect of the application of seafarers' living and working conditions. The Government strongly supports the Maritime Labour Convention and the Social Partners Agreement but has asked for a minute statement recording that, whilst we agree the directive should cover the self-employed, we do not accept that article 139 of the Treaty of Rome can provide a legal base for measures intended to apply to the self-employed.
	The presidency will present a progress report on implementing the principle of equal treatment between persons irrespective of religion or belief, disability, age or sexual orientation. This directive is intended to "fill in the gaps" and remove the existing hierarchy of equality rights in EU protection against discrimination and harassment. The Government welcomes the opportunity to consider the Commission's proposal for a new directive and will work to ensure that any directive adopted is effective in eliminating discrimination, whilst ensuring that it is in harmony with the delicate balances in our own national legislation.
	The Council will seek to adopt the common position on the amended proposal for a regulation for implementing Regulation (EC) No 883/2004 on the coordination of social security systems and also for determining the content of the Annexes. The Council will agree the text of the whole regulation which implements the coordination rules and which has been dealt with on a chapter by chapter basis by several presidencies. The Government are content with the final proposal and fully supports the Council text.
	The Council will seek the adoption of conclusions on the active inclusion of people excluded from the labour market. Following two consultations, the European Commission published a proposal on 3 October 2008 outlining action at EU level to "deepen" the open method of co-ordination through the adoption of common principles and subsequent monitoring and evaluation in the areas which contribute to active inclusion. Active inclusion covers minimum income, active labour market policy and access to services. The text is acceptable to the Government.
	The Council will also seek adoption of two sets of conclusions on the review of the implementation by the member states and the EU institutions of the Beijing Platform for Action. The presidency has looked at two areas, indicators concerning women and armed conflicts, and the reconciliation of work and family life. The Government welcomes the indicators, recognises the importance of the implementation of the Beijing Platform for Action and is content with the text of both sets of conclusions.
	Under Any Other Business, there will be progress reports from the presidency on proposals for two directives, the introduction of measures to encourage improvements in the safety and health at work of pregnant workers and the application of the principle of equal treatment between men and women engaged in an activity in a self-employed capacity. There will be information from the presidency and Commission on the recent follow up to the forum on workers' rights and also the recent 'Euroskills events, and also there will also be reports from the presidency of recent conferences. The Commission will also provide information on the economic and social impact of Directive 2005/47/EC on the working time of cross border workers which applies generally to the train crew of international rail services.